Ilizwe Financial Services provides a cash and treasury management service to banks or corporates which may require help in these fields. Our expertise predominantly lies in Foreign Exchange risk management, but then also extends over the entire treasury spectrum of liquidity and interest rate management, reporting and settlements. (See Treasury Products and Services for a full account of what is available)

Why Outsource? may answer some of your questions as to the pros and cons of outsourcing.

As to who Ilizwe is and where they come from, see the Why IFS? tab

A weekly market update is added each Monday under Publications for some insight as to how we view the FX and interest rate markets

Ilizwe Financial Services is proud to announce one new partnership:
MyTreasury is a cash and treasury management system that is web enabled (not browser based) for any sized corporate or project where cashflows can be captured, priced and risk managed through a treasury (not necessarily Ilizwe), settled with the opposite counterparties and reconciled with all bank accounts. (See:

Latest Market Brief (updated every Monday)


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